INTERIM SHORT REPORT. Henderson Global Technology Fund. For the six months ended 30 April 2017
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1 INTERIM SHORT REPORT For the six months ended 30 April 2017 Henderson Global Technology Fund
2 Henderson Global Technology Fund Short Report For the six months ended 30 April 2017 Investment Fund Managers Stuart O Gorman and Richard Clode Other information Henderson Group plc and Janus Capital Group merged on 30 May 2017 to form Janus Henderson Group plc. Investment objective and policy To aim to provide capital growth by investing in companies worldwide that derive, or are expected to derive, profits from technology. Risk and reward profile The fund currently has 3 types of share in issue; A accumulation, I accumulation and Z accumulation. Each type of share has the same risk and reward profile which is as follows: Typically Lower potential risk/reward Lower Risk Typically Higher potential risk/reward Higher Risk The Synthetic Risk and Reward Indicator (SRRI) is calculated based on historical volatility over a rolling 5 year period, it is reviewed monthly and updated if volatility has changed materially to cause a movement in the SRRI level. The SRRI is an indicator and may not accurately reflect future volatility and market conditions. The value of an investment in the fund can go up or down. When you sell your shares they may be worth less than you paid for them. The risk/reward rating above is based on mediumterm volatility. In the future, the fund s actual volatility could be higher or lower and its rated risk/reward level could change. The share classes appear at 5 out of 7. Share classes in higher categories have shown greater and/or more frequent variations in share price in the past 5 years than those in lower categories. The lowest category does not mean risk free. The rating does not reflect the possible effects of unusual market conditions or large unpredictable events. Under normal market conditions the following risks may apply: Active management risk Active management techniques that have worked well in normal market conditions could prove ineffective or detrimental at other times. Concentration risk The fund s value may fall where it has concentrated exposure to an industry that is heavily affected by an adverse event. Counterparty risk The fund could lose money if a counterparty with which it trades becomes unwilling or unable to meet its obligations to the fund. Derivatives risk Derivatives use exposes the fund to risks different from, and potentially greater than, the risks associated with investing directly in securities and may therefore result in additional loss, which could be significantly greater than the cost of the derivative. Equities risk Shares can lose value rapidly, and typically involve higher risks than bonds or money market instruments. The value of your investment may fall as a result. Exchange rate risk Changes in currency exchange rates may cause the value of your investment and any income from it to rise or fall. Hedging risk Measures designed to reduce the impact of certain risks may not be available or may be ineffective. Liquidity risk Any security could become hard to value or to sell at a desired time and price, increasing the risk of investment losses. The full list of the fund s risks are contained in the Risk Factors section of the fund s prospectus. The risk rating has changed from 6 to 5 in the period. The SRRI conforms to the ESMA guidelines for the calculation of the SRRI. 2 Henderson Global Technology Fund
3 Investment review The Henderson Global Technology Fund returned 9.9 for the six months to 30 April 2017 versus a benchmark return of 9.6 for the MSCI All Countries World Information Technology Index. At the sector level, stock selection within the semiconductors & semiconductor equipment, technology hardware and internet sectors were the largest contributors to performance. Communications equipment and the fund s cash position were detrimental to performance given an ongoing strong market backdrop. At the stock level, the fund s positioning in rational commodities through Micron, Western Digital and Samsung contributed positively. Demand for more memory combined with industry supply discipline exacerbated by rising technology challenges has led to strong memory pricing trends and a significant expansion in profit margins for the suppliers. Broadcom, a leading networking semiconductor company, outperformed, driven by strong cloud datacentre and film bulk acoustic resonator demand combined with ongoing accretion from the Avago/ Broadcom combination. The shift of smartphone displays from LCD to OLED displays as well as some initial traction in the OLED TV market benefited our stocks related to that theme, such as Universal Display, Applied Materials and again, Samsung. Fleetcor underperformed, as existing concerns around its growth, margin profile and lack of disclosure were compounded by a short seller report alleging aggressive billing practices. Palo Alto Networks suffered from a growth slowdown, as a sales force reorganisation went awry, taking the stock lower. While we remain positive on the stock, we are structurally underweight Apple given it accounts for more than 10 of the index; the stock s outperformance was a drag on the fund. In the internet sector, where we retained a large structural overweight, the fund added Yandex, the dominant search engine in Russia. The company is benefiting from the domestic regulator s crackdown on Google s anti-competitive practices in mobile search as well as the success of its online taxihailing app. Expedia was added as a complement to our Priceline position; both are beneficiaries of the shift toward booking travel online. We also added IAC/InteractiveCorp. IAC has a stable of attractive online platforms in Match.com and Home Advisor that they are now merging with Angie s List to create a dominant digital home services platform. In semiconductors, the fund exited its position in Qualcomm as a result of the US Federal Trade Commission investigation and Apple lawsuit related to the company s royalty model, which created significant risk to its main source of profits. Given the acceptance of a cash offer from Qualcomm capping the upside, the fund also exited its NXP Semiconductor position. The fund also exited its Intel position, as long-held concerns around the threat to its monopolistic position in datacentre processors accelerated. Xilinx, a leading field programmable gate array (FPGA) supplier, was added given that FPGAs are one alternative to Intel now being used by cloud datacentres. Texas Instruments was returned to the portfolio given improved global growth prospects; the company is the dominant analog semiconductor franchise and a beneficiary of potential US tax reform. Elsewhere, the fund added Flex, attracted by its transformation from an electronics contract manufacturer to a more value-adding outsourced manufacturing partner to a wider range of industries. PTC was also added given its strong franchise in computer aided design and product lifecycle management software. The company is executing well on its transition from a license to subscription model. The global macroeconomic picture is improving but remains fragile, with attempts to normalise interest rates continuing to be pushed out. As quantitative easing (central bank liquidity measures) begins to wind down, the challenges of implementing the required longer-term structural reforms remain all too evident. The technology sector, given a demographic tailwind and its ability to continually provide customers with more for less, is likely to continue to gain share. We will continue to focus on powerful secular themes within technology. Technology companies valuations and balance sheets relative to global equities remain attractive. The technology sector is a clear beneficiary of the proposed repatriation of overseas cash to the US. Currency volatility (sharp fluctuations in price) moderated through 2016, but Trump s dollar policy is unclear and remains a risk, as does protectionism for a truly global sector like technology. Competition and pricing pressure are likely to remain intense, especially with major deflationary secular shifts ongoing (such as enterprise spending moving to the cloud). We continue to have a preference for sectors with high barriers to entry and dominant participants, which has led us to remain heavily overweight the internet, notably dominant franchises such as Alphabet (Google), Facebook and Amazon. Henderson Global Technology Fund 3
4 Performance summary Cumulative performance Six months 31 Oct Apr 17 One year 30 Apr Apr 17 Five years 30 Apr Apr 17 Since launch 8 Oct Apr 17 Henderson Global Technology Fund ,895.7 MSCI All Countries World Information Technology Index * Discrete performance 30 Apr Apr Apr Apr Apr Apr Apr Apr Apr Apr 13 Henderson Global Technology Fund Source: Morningstar, bid to bid and net of fees as at 12 noon valuation point, based on performance of Class A accumulation. Benchmark values are as at close of business. * Benchmark return is not quoted as the fund inception date is earlier than the benchmark inception date. Please remember that past performance is not a guide to future performance. The value of an investment and the revenue from it can fall as well as rise as a result of market and currency fluctuations and you may not get back the amount originally invested. Fund facts Accounting dates Payment dates 30 April, 31 October 31 December Ongoing charge figure 30/04/17 31/10/16 Class A Class I Class Z The ongoing charge figure (OCF) of the fund is calculated as the ratio of the total ongoing charges to the average net asset value for twelve months. The OCF is calculated in accordance with guidelines issued by the European Securities and Markets Authority (ESMA). 4 Henderson Global Technology Fund
5 Comparative tables for the six months ended 30 April 2017 Class A accumulation 30/04/17 31/10/16 31/10/15 31/10/14 Change in net assets per share Opening net asset value per share 1, Return before operating charges* Operating charges (11.47) (18.08) (16.10) (13.72) Return after operating charges* Distributions on accumulation shares Retained distributions on accumulation shares Closing net asset value per share 1, , * after direct transaction costs of: Performance Return after charges Other information Closing net asset value ( 000s) 222, , , ,774 Closing number of shares 15,740,137 16,438,905 21,956,460 26,315,641 Operating charges (annualised) Direct transaction costs Prices Highest share price (pence) 1, , Lowest share price (pence) 1, Henderson Global Technology Fund 5
6 Comparative tables (continued) Class I accumulation 30/04/17 31/10/16 31/10/15 31/10/14 Change in net assets per share Opening net asset value per share 1, , Return before operating charges* Operating charges (6.17) (9.73) (8.57) (7.27) Return after operating charges* Distributions on accumulation shares - (1.62) (2.06) (1.88) Retained distributions on accumulation shares Closing net asset value per share 1, , , * after direct transaction costs of: Performance Return after charges Other information Closing net asset value ( 000s) 437, , , ,579 Closing number of shares 27,747,747 26,261,621 25,423,345 25,186,540 Operating charges (annualised) Direct transaction costs Prices Highest share price (pence) 1, , , Lowest share price (pence) 1, Henderson Global Technology Fund 6
7 Comparative tables (continued) Class Z accumulation 30/04/17 31/10/16 31/10/15 31/10/14 Change in net assets per share Opening net asset value per share Return before operating charges* Operating charges (0.07) (0.10) (0.10) (0.09) Return after operating charges* Distributions on accumulation shares - (1.85) (1.78) (1.53) Retained distributions on accumulation shares Closing net asset value per share * after direct transaction costs of: Performance Return after charges Other information Closing net asset value ( 000s) Closing number of shares 1,500 1,500 1,500 1,500 Operating charges (annualised) Direct transaction costs Prices Highest share price (pence) Lowest share price (pence) Performance values are at close of business and may differ from the performance summary. Operating charges Operating charges are expenses associated with the maintenance and administration of the fund on a day-to-day basis that are actually borne by the share class. Share class launches and closures There were no share classes launched or closed in the period. Past performance is not a guide to future performance Henderson Global Technology Fund 7
8 Major holdings Major holdings as at 30/04/17 as at 31/10/16 Apple 8.69 Apple 8.31 Facebook 7.28 Facebook 6.92 Microsoft 5.88 Microsoft 5.92 Alphabet 'A' 5.31 Alphabet 'A' 5.29 Alphabet 'C' 4.21 Alphabet 'C' 4.39 Samsung Electronics 4.01 Visa 4.13 Visa 3.86 Samsung Electronics 3.89 Tennent Holdings 3.76 Tennent Holdings 3.71 Alibaba Holdings ADS 3.67 Cisco Systems 3.64 Cisco Systems 3.44 Intel 3.51 Asset allocation Asset allocation as at 30/04/17 as at 31/10/16 United States United States China 7.93 China 7.43 South Korea 4.82 South Korea 4.47 Singapore 3.13 Singapore 2.82 Finland 1.65 Finland 1.19 United Kingdom 0.91 United Kingdom 1.16 France 0.76 Israel 1.16 Russian Federation 0.67 Netherlands 1.04 Netherlands 0.53 Japan 0.74 Israel 0.15 France 0.58 Derivatives - Germany 0.11 Other net assets 3.06 Other net assets 2.58 Total net assets Total net assets Henderson Global Technology Fund
9 Report and accounts This document is a short report of the Henderson Global Technology Fund for the six months ended 30 April Copies of the annual and half yearly long form reports of this fund are available on our website or contact client services on the telephone number provided. Other information The information in this report is designed to enable you to make an informed judgement on the activities of the fund during the period it covers and the results of those activities at the end of the period. Risk warning Please remember that past performance is not a guide to future performance. The value of an investment and the revenue from it can fall as well as rise as a result of market and currency fluctuations and you may not get back the amount originally invested. Issued by: Henderson Investment Funds Limited Registered office: 201 Bishopsgate London EC2M 3AE Member of The Investment Association and authorised and regulated by the Financial Conduct Authority. Registered in England No Shareholder Administrator International Financial Data Services (UK) Limited IFDS House St Nicholas Lane Basildon Essex SS15 5FS Depositary National Westminster Bank Plc 135 Bishopsgate London EC2M 3UR Auditor PricewaterhouseCoopers LLP 141 Bothwell Street Glasgow G2 7EQ Henderson Global Technology Fund 9
10 Henderson Global Technology Fund 10
11 Henderson Global Technology Fund 11
12 Further information Shareholder enquiries If you have any queries about your fund holding, either contact your professional adviser or telephone us on one of the numbers below: For dealing enquiries including buying and selling shares please telephone at local rate: The following line is also available: Client Services: or you can contact us via at We may record telephone calls for our mutual protection and to improve customer service. Online valuations You can value your Henderson Global Technology Fund at any time by logging on to com. Select UK Private Investor and then access Valuations from the Tools Menu. Simply select the fund you hold and enter the appropriate number of shares. Important Information Janus Henderson Investors is the name under which Janus Capital International Limited (reg no ), Henderson Global Investors Limited (reg. no ), Henderson Investment Funds Limited (reg. no ), Henderson Investment Management Limited (reg. no ), AlphaGen Capital Limited (reg. no ), Henderson Equity Partners Limited (reg. no ), Gartmore Investment Limited (reg. no ),(each incorporated and registered in England and Wales with registered office 201 Bishopsgate, London EC2M 3AE) are authorised and regulated by the Financial Conduct Authority to provide investment products and services. Unless otherwise stated, all data is sourced by Henderson Global Investors. H029313/0517
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